sk sk

Data for the period


Revision December 2005
 

Slovak Republic – Balance of Payments – January to December 2000

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 548,503.00 11,872.36 590,275.00 12,776.52 -41,772.00 -904.16
SERVICES 103,740.40 2,245.46 83,496.80 1,807.29 20,243.60 438.17
  Transportation 45,863.60 992.72 19,975.10 432.36 25,888.50 560.36
  Travel 19,936.10 431.52 13,642.80 295.30 6,293.30 136.22
  Other services total 37,940.70 821.23 49,878.90 1,079.63 -11,938.20 -258.40
INCOME 12,411.50 268.65 28,734.60 621.96 -16,323.10 -353.31
  Compensation of employees 825.30 17.86 307.00 6.65 518.30 11.22
  Investment income 11,586.20 250.78 28,427.60 615.32 -16,841.40 -364.53
CURRENT TRANSFERS 15,915.30 344.49 10,475.90 226.75 5,439.40 117.74
CURRENT ACCOUNT 680,570.20 14,730.96 712,982.30 15,432.52 -32,412.10 -701.56
CAPITAL ACCOUNT 4,923.60 106.57 -670.20 -14.51 4,253.40 92.06
FINANCIAL ACCOUNT 1,443,711.20 31,284.02 -1,389,385.70 -30,064.32 54,325.50 1,219.70
DIRECT INVESTMENT 474,262.90 10,265.43 -386,638.90 -8,368.82 87,624.00 1,896.61
ABROAD 10,541.90 228.18 -11,870.90 -256.95 -1,329.00 -28.78
  Equity capital and reinvested earnings 1,170.90 25.34 -2,244.90 -48.60 -1,074.00 -23.26
  Other capital 9,371.00 202.84 -9,626.00 -208.35 -255.00 -5.52
In SR 463,721.00 10,037.25 -374,768.00 -8,111.86 88,953.00 1,925.39
  Equity capital and reinvested earnings 104,844.00 2,269.35 -5,283.00 -114.35 99,561.00 2,155.00
  Other capital 358,877.00 7,767.90 -369,485.00 -7,997.51 -10,608.00 -229.61
PORTFOLIO INVESTMENT 143,885.90 3,143.37 -107,511.10 -2,324.43 36,374.80 818.94
  Assets 15,459.30 334.62 -24,716.50 -534.99 -9,257.20 -200.37
  Liabilities 128,426.60 2,808.75 -82,794.60 -1,789.44 45,632.00 1,019.31
OTHER INVESTMENT 825,562.40 17,875.22 -895,235.70 -19,371.07 -69,673.30 -1,495.85
Long-term 62,261.40 1,353.52 -85,793.10 -1,850.66 -23,531.70 -497.14
  Assets 3,996.20 86.50 -7,748.60 -167.71 -3,752.40 -81.21
  Liabilities 58,265.20 1,267.02 -78,044.50 -1,682.95 -19,779.30 -415.93
Short-term 763,301.00 16,521.71 -809,442.60 -17,520.41 -46,141.60 -998.71
  Assets 362,349.60 7,843.06 -402,142.10 -8,704.38 -39,792.50 -861.32
  Liabilities 400,951.40 8,678.64 -407,300.50 -8,816.03 -6,349.10 -137.39
CAPITAL AND FINANCIAL ACCOUNT 1,448,634.80 31,390.59 -1,390,055.90 -30,078.82 58,578.90 1,311.77
ERRORS AND OMISSIONS         8,002.0 213.5
OVERALL BALANCE -7,929.50 -174.80 42,098.30 998.50 34,168.80 823.70
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 14.00 0.20 0.00 0.00 14.00 0.20
FOREIGN EXCHANGE 7,915.50 174.60 -42,098.30 -998.50 -34,182.80 -823.90
CURRENCY AND DEPOSIT 7,915.50 174.60 0.00 0.00 7,915.50 174.60
SECURITIES 0.00 0.00 -42,098.30 -998.50 -42,098.30 -998.50
  Bonds and notes 0.00 0.00 -13,158.00 -320.30 -13,158.00 -320.30
  Money market instr. and financial derivates 0.00 0.00 -28,940.30 -678.20 -28,940.30 -678.20
RESERVE ASSETS 7,929.50 174.80 -42,098.30 -998.50 -34,168.80 -823.70

Used exchange rate of USD = 46.20 SKK

Selected indicators under SDDS’ specification

IMPORT OF GOODS AND SERVICES 673,771.80
EXPORT OF GOODS AND SERVICES 652,243.40
NET INCOME RECEIPTS -16,323.10
NET RECEIPTS FROM CURRENT TRANSFERS 5,439.40
CAPITAL TRANSFERS 4,253.40
FINANCIAL ACCOUNT 54,325.50
RESERVE ASSETS -34,168.80
DIRECT INVESTMENT 87,624.00
  Direct investment abroad -1,329.00
  Direct investment in SR 88,953.00
PORTFOLIO INVESTMENT 36,374.80
  Portfolio investment assets -9,257.20
  Portfolio investment liabilities 45,632.00
OTHER CAPITAL -69,673.30
  Other capital assets -43,544.90
  Other capital liabilities -26,128.40